The settlement tools enables easy execution of payments associated with all financing transactions and the accounting of financing provided

This set of tools enables a bank or other payments provider to easily manage the payments for TREFI financing

  • Payments to be made on each transaction by currency and by cash pool
  • Payments to be received and reconciliation by currency and by cash pool
  • Netting of payments
  • Status information on the payments on each transaction
  • Booking details of each transaction for accounting purposes

Payment files can be easily created for payment systems.

Historic settlement information can be downloaded at any time.

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